Research Papers

Research Papers

Date Title
Apr. 27, 2009Questionnaire Survey on Business Continuity Management (November 2008)
Jul.  8, 2008Toward Effective Business Continuity Management: A Check list and Instructive Practices
Mar. 19, 2008Securitized-Product Investment: Risk Management Perspectives
Dec. 26, 2007Hedge Fund Investments: Risk Management Perspectives
Dec. 26, 2007The Effect of the Choice of the Loss Severity Distribution and the Parameter Estimation Method on Operational Risk Measurement - Analysis Using Sample Data -
Jul. 27, 2007Questionnaire Survey on Business Continuity Management (December 2006)
Dec. 28, 2005The Expansion of Corporate Groups in the Financial Services Industry: Trends in Financial Conglomeration in Major Industrial Countries
Jul. 23, 2004Overview of Japanese Banks: Observations from Financial Statements for Fiscal 2003
Apr. 28, 2003Evaluating the Economic Value of Loans and the Implications: Toward Transformation of the Business Model of Banks and Nonbank Firms
Apr.  8, 2002Japanese Financial Institutions' Efforts to Address Their Management Tasks
Apr. 18, 2000The Importance of Information Security for Financial Institutions and Proposed Countermeasures --With a Focus on Internet-Based Financial Services--
Dec.  1, 1998Checklist for Risk Management (Revised 1998 Edition)
Feb. 27, 1998Utilization of Financial Institutions' Self-Assessment in Enhancing Credit Risk Management
Feb. 28, 1997Risk Disclosure by Financial Institutions
Nov. 29, 1996Checklist for Risk Management (Revised Edition)

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Bank of Japan Working Paper Series

Date Title
Sep. 21, 2007Developments in a Cross-Border Bank Exposure "Network"
May  7, 2007A Contemporary Aspect of Japanese Commercial Banking: Expansion of Fee-Based Business and Its Impact on Management Stability
Mar. 29, 2007Distortions in Resource Allocation and Bank Lending: The Malfunction of Financial Intermediation
Nov. 10, 2006An Efficient Monte Carlo Method for a Large and Nongranular Credit Portfolio
Oct. 12, 2006The Role of Trade Credit for Small Firms: An Implication from Japan's Banking Crisis
Apr. 20, 2006Estimating Continuous Time Transition Matrices From Discretely Observed Data
Sep. 30, 2005Impaired Bank Health and Default Risk
Jun.  3, 2005Monetary Policy Uncertainty and Market Interest Rates
Apr. 21, 2005The Effects of the Bank of Japan's Zero Interest Rate Commitment and Quantitative Monetary Easing on the Yield Curve: A Macro-Finance Approach
Apr.  6, 2004Fractal Network derived from banking transaction --An analysis of network structures formed by financial institutions--
Jan. 22, 2003Designing New Financial Infrastructure for a New Lending Model
Nov. 16, 2001Insights into the Low Profitability of Japanese Banks: Some Lessons from the Analysis of Trends in Banks' Margins
Oct. 18, 2001Sectoral Credit Shifts in Japan: Causes and Consequences of Their Decline in the 1990s
Mar. 23, 2001Internal Measurement Approach to Operational Risk Capital Charge
Mar.  2, 2001Bank of Japan EMEAP High-Level Workshop on Development of Information Technology and Central Banking (October 2-3, 2000): Opening Remarks
Sep.  8, 2000Challenges and Possible Solutions in Enhancing Operational Risk Measurement
Aug.  9, 2000Internal Risk Based Approach --Evolutionary Approaches to Regulatory Capital Charge for Operational Risk--
Jul. 14, 2000Measuring Operational Risk in Japanese Major banks

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Bank of Japan Review Series

Date Title
Aug. 13, 2009Financial Statements of Japanese Banks for Fiscal 2008
Sep. 16, 2008Business Conditions of Japanese Banks and Their Challenges
Jul. 16, 2008Cross-currency transmission of money market tensions
Nov.  7, 2007Monitoring Commodity Markets
From the Perspective of Understanding Global Financial Market Trends
Mar. 30, 2007Bank Profits in Japan from the Perspective of ROE Analysis
Dec.  4, 2006Changes in Hedge Fund Investment Behavior and the Impact on Financial Markets

Position Concentration, Expanded Scope, and Market Liquidity Risk

Dec. 13, 2002What do we learn about current developments in the bank lending market in Japan from BOJ's Senior Loan Officer Opinion Survey?
Dec.  6, 2002Implications of a Macro Stress Test on Financial Stability: Summary of the second census on stress tests

Related Contents on Financial System Stability

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